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REXNORD INDUSTRIES LLC

Manager Treasury

REXNORD INDUSTRIES LLC, Milwaukee, Wisconsin, United States, 53244


REXNORD INDUSTRIES LLC - Manager Treasury

Location:

Milwaukee, WisconsinJob Requirements:Scope of Leadership Role: Seeking a highly motivated Treasury Manager that will serve as a key member of the Global Treasury Leadership Team. This is a hands-on role responsible for managing teams, implementing best practices, risk mitigation and compliance, and providing leadership. Responsible for leveraging expertise and experience to improve Regal's treasury functions in the ever-changing global landscape. Reporting to the Director of Treasury, the Treasury Manager is responsible for driving our Treasury Initiatives forward aimed at evolving our operations to a best-in-class Treasury Organization. Along with leading our change initiatives, the Treasury Manager will also be involved in cash management, cash forecasting, and implementing our treasury technology roadmap. The Treasury Manager will lead 1 direct report, a Treasury Analyst. The Treasury Manager must be forward-thinking and have the ability to expeditiously execute global projects and programs. The successful candidate must be able to generate win-win outcomes by building partnerships across the enterprise while aligning expectations and integrating various points of view.Key Responsibilities:Recommends and implements improvements to current treasury operations processes.Leads the treasury and cash management operations for HQ entities and helps develop strategies to maximize efficiencies, safeguard assets, and minimize costs.Ensures compliance with internal controls, policies, and procedures in day-to-day conduct and supervision of cash management activities.Manages the Treasury Technology ecosystem, including Treasury Management System (GTreasury), Hedge Tracker, TIS, and various global banking portals.Leads internal team on implementations of new modules or upgrades, including increased utilization and best practices.Assists in managing and maintaining the company's banking infrastructure, including bank and brokerage relationships, bank services and fee analysis, signors, and account/bank rationalization efforts.Identifies and proposes cost-saving and profit-maximizing opportunities to Senior Treasury Leadership related to treasury.Understands and manages appropriate procedures and processes around month-end and quarter-close activity.Ensures adherence to SOX controls, FBAR, FATCA, DODD Frank, including record keeping and data testing as requested.Provides financial analysis and project status updates to executive management.Provides thought leadership and contributes to models involving cash flow, balance sheet, and income statement projections.Partners across the larger treasury organization to drive function-wide initiatives.Conducts research into variances and determines explanations.Assists with M&A integration activity for Treasury.Assists with accounting questions and audit.Equal Employment Opportunity Employer: Female/Sexual Orientation/Gender Identity/Minority/Veteran/DisabledApplication Instructions:

Apply Online: ipc.us/t/14AC258F0C574CC7

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